Royal Bahamian Ass'n, Inc. v. Qbe Ins. Corp.

744 F. Supp. 2d 1297, 2010 U.S. Dist. LEXIS 142756, 2010 WL 3994002
CourtDistrict Court, S.D. Florida
DecidedSeptember 28, 2010
DocketCase 10-21511-CIV
StatusPublished
Cited by3 cases

This text of 744 F. Supp. 2d 1297 (Royal Bahamian Ass'n, Inc. v. Qbe Ins. Corp.) is published on Counsel Stack Legal Research, covering District Court, S.D. Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Royal Bahamian Ass'n, Inc. v. Qbe Ins. Corp., 744 F. Supp. 2d 1297, 2010 U.S. Dist. LEXIS 142756, 2010 WL 3994002 (S.D. Fla. 2010).

Opinion

CORRECTED PRELIMINARY ORDER ON MOTIONS IN LIMINE 1

JONATHAN GOODMAN, United States Magistrate Judge.

In a disappointing development, this matter is before the Court in connection with procedural issues concerning eight (8) separate motions in limine filed by Plaintiff, Royal Bahamian Association, Inc. (“Royal Bahamian”) (DE ## 73, 74, 75, 76, 77, 78, 79 and 80) and three (3) motions in limine filed by Defendant, QBE Insurance Corporation (“QBE”). (DE ## 70, 71 and 72).

As outlined below, neither Royal Bahamian nor QBE complied with the local rule requiring a good faith effort to resolve issues before filing motions. In addition, their counsel filed certifications (attesting to purported compliance with the local rule) which, at best, were questionable because neither Royal Bahamian nor QBE, by any stretch, actually made reasonable, good faith efforts to confer about any of the motions.

THE RULE

Local Rule 7.1(a)(3) is entitled “Pre-filing Conferences Required of Counsel.” With certain exceptions not applicable here, the rule requires movant’s counsel to “confer (orally or in writing)” or “make reasonable effort to confer (orally or in writing)” with all parties “in a good faith effort to resolve by agreement the issues to be raised in the motion.” (emphasis supplied). The rule also requires other counsel to “cooperate and act in good faith in attempting to resolve the dispute.” (emphasis supplied).

The rule requires the movant to certify that one of two possible scenarios occurred: (1) that movant’s counsel did, in fact, confer but was unable to resolve the issues, or (2) that movant’s counsel made “reasonable efforts” to confer but has been unable to do so. If movant uses the latter type of certification, then movant’s counsel must “identi[fy] with specificity” the efforts taken in the unsuccessful attempt to confer.

Finally, the rule provides that failure to comply “may be cause” to “grant or deny the motion and impose on counsel an appropriate sanction,” which “may include an order to pay the amount of the reasonable expenses incurred because of the violation.”

THE CERTIFICATIONS — AND THE ACTUAL FACTS UNDERLYING THEM

In each of its eight motions in limine, Plaintiffs counsel submitted what amounts to a hybrid type of certification, including elements of both the first type and the second type of required certification. Under the local rule, a movant must, before filing a motion, either have an actual, good faith conference, which was unsuccessful because the issue could not be resolved, or make unsuccessful efforts to have the conference and then explain what efforts were taken (and which resulted in an inability to have a conference at all). Plaintiffs certifications did not comply with either type of permissible certification.

*1299 Instead, Plaintiffs counsel “certified,” under the title “Local Rule 7.1(a)(3) Certification,” that “it [sic] has attempted to communicate with Defendant’s counsel to resolve the issues contained within this motion, but has been unable to resolve same.” Royal Bahamian did not, in any of its certifications for the eight motions, provide any detail about the attempts it purportedly took to resolve the issues before filing the motions. See Andre v. Gonzales, No. 10-20536-CV, 2010 WL 3585238, at *2 (S.D.Fla. Sept. 7, 2010) (certification of good faith effort to attempt to confer under Local Rule 7.1(a)(3) was insufficient because moving party gave no specific information about these efforts in her certification). Obviously, if Royal Bahamian never conferred (because it only “attempted” to communicate), then it would not have been able to resolve any of the 8 or more disputes at issue in the motions.

Unlike Royal Bahamian’s certifications, which represented that Plaintiff “attempted” to communicate, QBE’s certifications affirmatively (and incorrectly) represented that QBE “has” consulted with opposing counsel. (DE ## 70, 71, 72). 2

Had QBE not raised the issue of compliance with the local rule requirement for good faith efforts to confer in its responses to Royal Bahamian’s eight in limine motions, the Court would have accepted the certifications at face value and not started to question their veracity. But what would have been a relatively routine review of the substance of the motions without a second thought about the certifications turned into a far different assessment because of QBE’s responses.

In its responses to all eight motions, QBE contends that Royal Bahamian failed to comply with Local Rule 7.1(a)(3) because Royal Bahamian’s only effort to confer was “to send an email at 5:43 p.m. on August 25, 2010 ... asking ‘whether Defendant agrees to any of the motions, in which case filing would be unnecessary.’ ” (DE ## 102, 103, 104, 105, 106, 107, 109). 3 QBE contends that Royal Bahamian allowed it only one hour and 39 minutes to discuss the issue with co-counsel and its client, after business hours, before it started to file its eight motions in limine. 4 QBE attached the email as an exhibit to each of its responses to the eight in limine motions. The email explained that the 8 motions which Plaintiff planned to file were attached (albeit without supporting exhibits). According to the Court’s CMJ ECF log, Royal Bahamian uploaded its *1300 first motion to compel at 7:21 p.m. on August 25, 2010.

Accusing Royal Bahamian of not making “a good faith attempt to confer on the issues raised in any of its motions in limine,” QBE urged the Court to summarily deny all of Plaintiffs in limine motions for failure to comply with the local rule and for only “ ‘going through the motions’ before filing” the motions. (DE ## 102, 103, 104,105,106,107 109.)

Prompted to consider the bona fides of Royal Bahamian’s certifications, I directed Royal Bahamian to explain, in its replies, whether the timing and chronology outlined in QBE’s responses are accurate and whether it ever discussed (orally or in writing) the issues raised in the eight motions before it sent its succinct email memo on August 25, 2010. (DE# 122.) In addition, I asked Royal Bahamian to advise me if there were any discussions which predate the email sent at 5:43 p.m. on August 25, 2010, and, if so, to specify the circumstances and provide detail and supporting exhibits, such as emails and letters. I also urged Royal Bahamian to discuss any legal authority which construes the circumstances outlined above as a reasonable prefiling effort to confer.

In its reply (DE# 123), Royal Bahamian confirms the accuracy of the representations which QBE made about the timing and chronology of Plaintiffs eight motions. It concedes that it “did not explicitly discuss the issues raised” in the motions in limine with QBE’s counsel before the after-business-hours email which attached drafts of the eight motions.

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744 F. Supp. 2d 1297, 2010 U.S. Dist. LEXIS 142756, 2010 WL 3994002, Counsel Stack Legal Research, https://law.counselstack.com/opinion/royal-bahamian-assn-inc-v-qbe-ins-corp-flsd-2010.